The following selected transactions for Concord Bryce Company are presented in journal form. J1 Date...
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Accounting
The following selected transactions for Concord Bryce Company are presented in journal form. J1 Date Account Titles and Explanation Ref. Debit Credit May 5 Accounts Receivable 5.100 Service Revenue 5,100 (Billed for services performed) 12 Cash Accounts Receivable 4,600 4,600 (Received cash in payment of account) 15 Cash Service Revenue (Received cash for services perf 3,200 3.200 Post the transactions to T-accounts and determine sach acco nce. Post entries in the order presented in the problem statement) > Cash Accounts Receivable 3 Service Revenue
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